(PUB) Investing 2016

34

Historical Performance

Historical Risk

Morningstar Rating vs.Category 5 ! Best

Total Return % 03-31-16

Total Return % Category Rank

12- Mo Yld %

Stand- ard Devia- tion (R²)

Risk Relative to Category

Morningstar Analyst Rating

1 ! Best, 100 ! Worst

A N N U A L I Z E D

Morningstar 500 Domestic Equity

YTD 1 Yr

3 Yr

5 Yr

10 Yr YTD 1 Yr 3 Yr 5 Yr 10 Yr

Small Value (cont’d)

2.2 -6.9 2.4 -6.0 -0.5 -6.2 5.7 -2.7 2.6 -7.0 0.5 -5.8 3.8 -0.1 3.8 -2.1 2.1 -12.7 9.3 -6.4 5.6 -9.6 3.3 -7.2 3.5 -4.7

6.1 6.6 5.1

— — — — —

— 14.3 (67) 0.5 14.52 (70) 0.4 14.78 (72) 0.2 13.77 (64) 1.4 14.86 (73) 0.3 10.72 (72) 0.8 12.88 (67) 0.6 11.99 (73) 0.0 16.45 (63) 0.5 13.86 (60) 1.1 14.01 (61) 0.0 13.76 (72) 2.2 13.79 (79)

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QQQ

American Beacon Small Cp Val Inv AVPAX American Century Small Cap Value Inv ASVIX Dean Small Cap Value DASCX DFA US Targeted Value I DFFVX Diamond Hill Small Cap A DHSCX Fidelity Small Cap Value FCPVX Perkins Small Cap Value T JSCVX Royce Opportunity Invmt RYPNX Royce Small-Cap Value Service RYVFX Royce Special Equity Invmt RYSEX Third Avenue Small Cap Value Instl TASCX Vanguard Small Cap Value Index Admiral VSIAX

7.5 7.1 8.5 7.7 6.7 8.1 3.6 6.2 3.7 5.7 9.6 6.7 8.7 6.9 1.7 6.4 5.1 2.3 7.8 8.1 7.4 5.8 1.9 3.2 1.8 6.4 6.6 3.0 6.6 1.9 6.6 2.2 3.5 2.6 1.6 7.0 1.2 6.4 6.2 8.4 -2.7

7.6 7.1 8.7 8.0 7.2 6.9 4.7 2.6 5.8 6.5 9.7 7.0 9.2 7.9 1.6 7.1 5.5 3.1 8.6 8.1 7.7 8.0 0.0 6.7 4.4 3.7 3.7 7.0 7.3 5.0 4.8 — 8.5 3.9 4.8 4.1 1.6 7.5 1.0 6.0 5.5

5.9 6.7 5.1 5.9 5.3 7.8 7.3 4.7 4.8 6.6 4.0 6.5 — 6.7 6.1 3.0 6.1 6.9 3.1 5.4 6.0 5.4 6.4 2.4 6.5 5.2 3.1 4.3 5.7 7.0 — 5.1 — 6.8 4.9 5.1 4.6 2.9 5.6 — 6.5 4.1 4.3 6.9 4.7

41 37 87 42 7 15 38 53 74 34 23 11 50 92 2 44 7 78 30 56 28 24 25 4

32 26 27 40 39 13 14 13 49 27 20 27 48 36 44

Avg Avg -Avg Avg Low -Avg Low +Avg -Avg -Avg -Avg Avg

QQQQ

— —

]QQQQ

Œ Œ

QQQQ QQQQ

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QQQQQ QQQQQ

8.6 10.3

13

2

3 8

18 46

QQ QQ

85 86 63 57 96 58 83 72 14

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QQQ

68 57 80

QQQQQ

7

5 17

Allocation

0.8 -3.0

3.4 4.1 3.8

— — — — —

— 7.08 (76)

„ „ „ ´

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American Funds 2020 Trgt Date Retire A AACTX American Funds American Balanced A ABALX American Funds Income Fund of Amer A AMECX

TE

2.1 1.8 3.0 1.6 0.8

0.4 2.7 0.5 1.2 2.7

21 23

3 2 9

2 3

2 —

1.1 1.6 3.1 0.0 0.6 2.3 1.0 2.4 1.6 2.1 2.1 1.6 0.9 5.7 2.0 2.2 2.3 1.6 4.3 0.0 2.9 2.5 1.5 0.6 0.8 0.8

7.01 (96) 7.92 (89) 8.33 (93)

Avg Avg

MA MA

2

7

QQQ

6

19 11 14 46 37 19 28 26 15

+Avg

QQQQ QQQQ

Arbitrage R ARBFX

NE

30 40

1.82

(1)

Low Low

ASTON/Montag & Caldwell Balanced N MOBAX

MA

50

2

6.48 (72)

„ ˇ

QQQQQ

Berwyn Income BERIX

CA NE

3.1 -0.8

12 25 61 47 69 44 79 31 49 16 92 30 18 90 85 46 38 95 46 17 2 40 95 67 94 33 82 69

6 13

1

4.76 (75)

-Avg Avg High +Avg

QQQ

Calamos Market Neutral Income A CVSIX

0.2

0.7

31 11 13

3.54

(0)

Œ

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Dodge & Cox Balanced DODBX

MA

0.3 -2.3 0.1 -1.7 0.4 -2.1 -0.8 -1.6 2.6 -5.2 -0.2 -2.4 2.0 -6.8 3.7 -2.1 -1.0 -3.4 -0.9 -1.8 0.8 -2.5 1.6 -1.3 -0.6 0.6

8 6

4 33 9 17

8.93 (87) 8.31 (91) 9.94 (96) 8.36 (87) 5.16 (47) 7.5 (86) 9.25 (89) 4.46 (87) 8.45 (69) 8.72 (86) 7.18 (90) 6.98 (89) 6.96 (68) 2.69 (81) 7.85 (90) 4.97 (93) 8.11 (94) 6.44 (95) 6.84 (93) 6.17 (36) 8.86 (87) 7.67 (91) 2.89 (0)

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MA ]QQQQQ

Fidelity Balanced FBALX

QQQQ

Fidelity Four-in-One Index FFNOX

AL

13 11 12

Avg

MA [QQQQ

Fidelity Puritan FPURX

4 10 11 94 95 92 40 33 10 76 42 12 58 49 47 97 93 73 28 26 24

+Avg

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Fidelity Strategic Real Return FSRRX

CA

Avg Avg

Œ

MA ]QQQQQ

FPA Crescent FPACX

´ „

CA ]QQQ LO [QQ

Franklin Income A FKINX

High Low +Avg +Avg -Avg +Avg -Avg

Gateway A GATEX

QQ

Greenspring GRSPX

MA MA MA

´ ˇ ´

QQQ

Invesco Equity and Income A ACEIX

QQQQQ

Janus Balanced T JABAX

24 22

5

QQQ

JPMorgan Income Builder A JNBAX Leuthold Core Investment Retail LCORX

CA

47 23 —

TV [QQQQ

39

4

2 12

6

E Litman Gregory Masters Alt Strats Inv MASNX

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QQQQ

GY

0.5 -2.4

31 24

25 — —

QQQQQ

Mairs & Power Balanced Inv MAPOX

MA

4.2

0.7

1

8

24

5

7

Avg Avg Avg

Manning & Napier Pro-Blend Cnsrv Term S EXDAX Ø CA Manning & Napier Pro-Blend Extnd Term S MNBAX Ø MA

QQQQ

1.8 -2.1 1.4 -4.4 1.6 -3.6 1.0 -1.2

43 62 30 81 52 80 45 61

71 60 22 85 76 46 61 53 31 48 38 22 16 17 29 42 64 — 29 48 11 32 61 77

QQQ QQQ

Ø CA

Manning & Napier Pro-Blend Mod Term S EXBAX

+Avg

NE [QQQ

Merger Investor MERFX

Avg

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MFS Total Return A MSFRX

MA

2.5

1.1

12

6

2.4

-Avg

E Natixis ASG Global Alternatives A GAFAX Oakmark Equity & Income I OAKBX Pax Balanced Individual Investor PAXWX

QQ

GY

-8.3 -15.8 0.8 -4.7 0.8 -0.5

97 96 51 84 50 18

0

QQQQ

MA MA

1.1 0.9

+Avg

QQQ

Avg

Russell 2000 Value Index

1.8 -7.8

5.7 6.5

S&P 500 Index

1.4 1.8 11.8 11.5

BarCap US Agg Bond TR USD

3.0 2.0

2.4 3.8

Legend

Categories AL Allocation—70% to 85% Equity CA Allocation—30% to 50% Equity GY Multi-Alternative LO Long-Short MA Allocation—50% to 70% Equity MR Miscellaneous Sector NE Market Neutral RI Retirement Income SC Communications

SF Financial SH Health SN Natural Resources SP Equity Precious Metals

TG Target Date 2021–2025 TH Target Date 2026–2030 TI Target Date 2031–2035 TJ Target Date 2036–2040 TK Target Date 2041–2045

Red ! Lowest return in group Green ! Highest return in group Italic ! Extended performance

E ! New this month ][ ! Increase/decrease in rating NR ! No Morningstar Rating; fund less than three years old.

SR Real Estate ST Technology SU Utilities

TL Target Date 2050+ TV Tactical Allocation XM Allocation—85%+ Equity XY Allocation—15% to 30% Equity

TD Target Date 2011–2015 TE Target Date 2016–2020

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